Skip to content

Kemper KMPR Fair Value Measurement Disclosure

Fair Value Measurement Disclosure at other companies

ProAssurance logo
ProAssurancePRA
$89.23M+12.4%
American Financial Group logo
American Financial GroupAFG
$3M+200%
CNA Financial logo
CNA FinancialCNA
$2.53B+9.7%
The Hartford Financial Services Group logo
The Hartford Financial Services GroupHIG

Other financials

Income statement

See full
Revenue$1.1B-7.2%
Operating income$132.4M+440%
Net income-$1.7M-102%
EPS (diluted)-$0.03-102%

Balance sheet

See full
Cash & equivalents$92.6M-19.8%
Total debt$944.0M-5.3%
Total equity$2.6B+624%
Total assets$12.4B-0.5%

Cash flow

See full
Operating cash flow$88.8M-50.7%
CapEx$10.9M+41.6%
Free cash flow$77.9M-54.8%

Valuation

See full
Market cap$1.54B-58.0%
Enterprise value$2.39B-48.7%
P/E30.8×+20.2×
P/S0.3×-0.5×

Profitability

See full
Net margin1.1%-6.3pp
FCF margin9.8%-0.3pp

Returns & leverage

See full
Return on equity3.3%-20.1pp
Debt / equity0.4×-2.4×

Where this comes from

Reported directly by Kemper in its filing.

Tagged under the XBRL concept us-gaap:FairValueMeasurementWithUnobservableInputsReconciliationRecurringBasisAssetValue.

The official record: Kemper’s 10-Q, filed May 6, 2026, on SEC EDGAR. View the filing →

Ask your AI about Kemper's fair value measurement disclosure.

Connect your AI assistant and compare it to peers, right in your chat.

Connect your AI
Harbor at dusk
Claude

Questions, answered.

What is Kemper's fair value measurement disclosure?
Kemper (KMPR) reported fair value measurement disclosure of $435.6M in Q1 2026.
How has Kemper's fair value measurement disclosure changed year-over-year?
Kemper's fair value measurement disclosure increased by 15.8% year-over-year, from $376.1M to $435.6M.
What is the long-term trend for Kemper's fair value measurement disclosure?
Over 5 years (2020 to 2025), Kemper's fair value measurement disclosure has grown at a -5.2% compound annual growth rate (CAGR), from $449.2M to $343.6M.
What does fair value measurement disclosure mean?
This represents the aggregate carrying amount of assets and liabilities that are measured at fair value on a recurring or non-recurring basis. It provides transparency into the valuation techniques and inputs used to determine these values, categorized by the fair value hierarchy. This is critical for asset managers holding diverse investment portfolios.